The joint venture of Mahindra & Mahindra Financial Services Limited and Manulife Investment Management (Singapore) Pte. Ltd. brings together Mahindra’s domestic market strength and track record of successfully building businesses focused on meeting customer needs and Manulife’s global wealth and asset management capabilities and richness of experience in servicing the needs of Asian consumers across developed and developing markets. We aim to offer wide variety of investment solutions pan-India, with focus on semi-urban areas.
Central Guiding Philosophy:
Making money for our investors at the lowest probability of risk we can find.
We have built continuously evolving in-house process models for equity and debt portfolios. Selection of securities in portfolios is guided by QOV Process, which evaluates companies on the basis of growth estimates, cashflow analysis, management and valuations. For debt securities, we follow the Risk Guard process for credit assessment and monitoring and go beyond the conventional analysis of business, management and financial qualities.
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Total Amount Payable